Steven Meng has over a decade of experience in risk management and compliance roles within the financial services industry. Currently serving as a Regulatory Response Manager and previously as a Compliance Specialist at Robinhood since July 2021, Steven has extensive expertise from Morgan Stanley, where roles included Vice President in Business Unit Risk Management and Co-Head of Regulatory Inquiries for North America from May 2011 to May 2021. Additional experience includes an Assistant Vice President position at Barclays and an Investigator role at FINRA. Steven began a career in law as a Legal Intern with the Queens District Attorney's Office. Steven holds a B.A. in Philosophy, Politics, and Law from Binghamton University, completed in 2008, and attended Hunter College High School from 1998 to 2004.
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